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Check my work other Balance, May 1 May 2 May 5 May 7 May 8 May 14 May 17 May 22 May 27 May 31

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Check my work other Balance, May 1 May 2 May 5 May 7 May 8 May 14 May 17 May 22 May 27 May 31 Balance, May 31 $ 19,200 27,200 16,200 10,000 20,000 19,490 $130 19,620 290 19,330 14,630 Service charge65 14,565 14,565 8,000 #301 #302 $11,000 6,200 10,000 #303 510 NSF check #304 4,700 Cash (A) 19,200 8,000| 11,000 #301 May 2 May 1 May 7 10,000 6,200 #302 May 4 510 4,700 1,400 #303 May 11 #304 May 23 6,200 19,590 3. After the reconciliation journal entries are posted, what balance will be reflected in the Cash account in the ledger? in Cash Prev 7 8 of 10 Next>

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